Strategic Plan Performance: CAGR = +44% in 9 months
Our Strategic Plan is our alternative to Buy and Hold Investments.
This is a proactive Market Timing Strategy; Short at Resistance; Buy at Support.
We give you advanced warning of our support and resistance triggers.
We have adopted this strategy because:
The Investment Rate tells us that Buy and Hold Strategies are a mistake.
The Investment Rate tells us that we need to be proactive.
The Investment Rate tells us that the Market is headed lower
The Investment Rate tells us that the risk of a greater depression is real.
The Investment Rate told us that 2007 would be a major transition year.
Here's the performance:
The strategic plan began in August 2007, during the 2007 transition year.
Total = 38.2%
CAGR = 44%
Review the Graphic Below: